Company (Agency Bill) Statements

Are your company statements reconciled in a timely fashion?

To assure that you pay only what you owe, Marble Box generates your account currents, completes reconciliations between your accounting system and carrier statements, notifies you of discrepancies and prepares your payments.

Producer & Broker Statements

Are you spending too much time producing accurate statements?

Marble Box can prepare your producer and broker commission statements adjusting for broker receivables or producer advances and correct commission errors. Finally, we either setup the payment checks or post payroll for you.

Vendor Payables

Do you have timely information to manage your cash flow?

To assure that you have timely information to manage your cash flow, Marble Box enters your payables into your system. We do cost allocation splits and setup your check for payment according to your payment schedule - all you need to do is review your payables report, print and sign the checks.